HoldingsChannel.com
WINTON GROUP Ltd Top Holdings
As of  06/30/2019

   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
UNION PACIFIC CORP 355,385 +39,383 $60,099
     UNP355,385+39,383$60,099
XCEL ENERGY INC 914,892 +33,338 $54,427
     XEL914,892+33,338$54,427
CISCO SYS INC 992,107 +790,837 $54,298
     CSCO992,107+790,837$54,298
COLGATE PALMOLIVE CO 727,968 +68,192 $52,173
     CL727,968+68,192$52,173
PEPSICO INC 387,685 +68,143 $50,837
     PEP387,685+68,143$50,837
COCA COLA CO 996,025 +182,609 $50,718
     KO996,025+182,609$50,718
MONSTER BEVERAGE CORP NEW 789,317 -48,790 $50,382
     MNST789,317-48,790$50,382
CSX CORP 645,299 +394,056 $49,927
     CSX645,299+394,056$49,927
YUM BRANDS INC 449,867 +39,328 $49,787
     YUM449,867+39,328$49,787
CHARTER COMMUNICATIONS INC N 123,467 +5,949 $48,792
     CHTR123,467+5,949$48,792
NORFOLK SOUTHERN CORP 238,265 +141,363 $47,493
     NSC238,265+141,363$47,493
WESTERN UN CO 2,224,614 -372,388 $44,248
     WU2,224,614-372,388$44,248
APARTMENT INVT & MGMT CO 854,663 +215,687 $42,836
     AIV854,663+215,687$42,836
AMAZON COM INC 22,556 -2,103 $42,713
     AMZN22,556-2,103$42,713
STARBUCKS CORP 504,763 +498,198 $42,314
     SBUX504,763+498,198$42,314
VERISIGN INC 201,980 -68,301 $42,246
     VRSN201,980-68,301$42,246
AUTOZONE INC 37,522 +1,707 $41,254
     AZO37,522+1,707$41,254
AKAMAI TECHNOLOGIES INC 506,449 +210,088 $40,587
     AKAM506,449+210,088$40,587
CARMAX INC 463,147 +463,147 $40,215
     KMX463,147+463,147$40,215
PROLOGIS INC 490,147 +15,725 $39,261
     PLD490,147+15,725$39,261
KANSAS CITY SOUTHERN 319,408 +37,691 $38,910
     KSU319,408+37,691$38,910
UNIVERSAL HLTH SVCS INC 291,203 +41,436 $37,970
     UHS291,203+41,436$37,970
O REILLY AUTOMOTIVE INC NEW 101,912 -27,083 $37,638
     ORLY101,912-27,083$37,638
PROCTER AND GAMBLE CO 340,897 -132,468 $37,379
     PG340,897-132,468$37,379
ASHLAND GLOBAL HLDGS INC 465,396 +94,373 $37,218
     ASH465,396+94,373$37,218
NVR INC 10,874 +10,874 $36,648
     NVR10,874+10,874$36,648
CBS CORP NEW 731,562 +244,363 $36,505
     CBS731,562+244,363$36,505
VORNADO RLTY TR 559,536 +154,615 $35,866
     VNO559,536+154,615$35,866
EBAY INC 905,851 +84,212 $35,781
     EBAY905,851+84,212$35,781
CAMDEN PPTY TR 340,288 +27,575 $35,523
     CPT340,288+27,575$35,523
MCDONALDS CORP 165,544 -44,302 $34,377
     MCD165,544-44,302$34,377
PS BUSINESS PKS INC CALIF 202,877 +51,280 $34,191
     PSB202,877+51,280$34,191
LAUDER ESTEE COS INC 180,269 -59,024 $33,009
     EL180,269-59,024$33,009
AMERICAN CAMPUS CMNTYS INC 705,032 +51,545 $32,544
     ACC705,032+51,545$32,544
SYNOPSYS INC 249,035 +242,878 $32,048
     SNPS249,035+242,878$32,048
AMERICAN EXPRESS CO 257,995 -76,225 $31,847
     AXP257,995-76,225$31,847
DISCOVER FINL SVCS 404,218 +51,430 $31,363
     DFS404,218+51,430$31,363
CHURCH & DWIGHT INC 422,513 +45,364 $30,869
     CHD422,513+45,364$30,869
KIMBERLY CLARK CORP 231,576 -110,256 $30,864
     KMB231,576-110,256$30,864
CLOROX CO DEL 199,973 +41,203 $30,618
     CLX199,973+41,203$30,618
ORACLE CORP 532,095 +217,151 $30,313
     ORCL532,095+217,151$30,313
DISNEY WALT CO 207,840 -62,952 $29,023
     DIS207,840-62,952$29,023
EXPEDITORS INTL WASH INC 375,862 +98,861 $28,513
     EXPD375,862+98,861$28,513
TRAVELERS COMPANIES INC 187,834 -25,894 $28,085
     TRV187,834-25,894$28,085
FLEETCOR TECHNOLOGIES INC 99,110 +99,110 $27,835
     FLT99,110+99,110$27,835
SCOTTS MIRACLE GRO CO 276,520 +94,772 $27,237
     SMG276,520+94,772$27,237
COMCAST CORP NEW 639,515 +194,756 $27,039
     CMCSA639,515+194,756$27,039
HP INC 1,266,125 +567,269 $26,323
     HPQ1,266,125+567,269$26,323
WATERS CORP 121,999 +3,586 $26,259
     WAT121,999+3,586$26,259
BOOKING HLDGS INC 13,961 +13,723 $26,173
     BKNG13,961+13,723$26,173

See Full List: All Stocks Held By WINTON GROUP Ltd
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By WINTON GROUP Ltd

Size ($ in 1000's)
At 06/30/2019: $5,144,502
At 03/31/2019: $4,972,902

WINTON GROUP Ltd holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from WINTON GROUP Ltd 13F filings. Link to 13F filings: SEC filings

WINTON GROUP Ltd Top Holdings 13F Filings | www.HoldingsChannel.com

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